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CAPITAL FIN (08239)

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  • 14.870
  • +0.280+1.92%
Market Closed Apr 30 11:04 CST
1.40BMarket Cap-43.74P/E (TTM)

CAPITAL FIN (08239) Balance Sheet

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YOY yoy
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(FY)Dec 31, 2025
(Q6)Jun 30, 2025
(FY)Dec 31, 2024
(Q6)Jun 30, 2024
(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
Assets
Current assets
Accounts receivable
--4.84M
----
----
----
----
----
----
----
----
----
Advance deposits and other receivables
-27.85%829K
-46.67%665K
23.02%1.15M
0.65%1.25M
-15.01%934K
-21.93%1.24M
-89.60%1.1M
-2.28%1.59M
199.07%10.57M
20.74%1.62M
Withholding and tax receivable
--751K
----
----
----
----
----
----
----
----
----
Cash and equivalents
34.63%97.26M
-4.25%84.5M
-22.47%72.24M
12.42%88.25M
-11.39%93.18M
-31.58%78.5M
9.65%105.16M
7.93%114.74M
-31.10%95.91M
-51.68%106.31M
Financial assets at fair value-current assets
----
----
----
----
----
-41.46%408K
-89.78%575K
-95.74%697K
-66.64%5.63M
--16.37M
Special items of current assets
-40.27%26.5M
-11.68%48.34M
-50.62%44.36M
-61.02%54.74M
-39.57%89.83M
-34.62%140.42M
-39.88%148.66M
-23.52%214.78M
-3.54%247.25M
15.69%280.83M
Total current assets
10.55%130.18M
-7.43%133.51M
-35.99%117.75M
-34.61%144.23M
-28.00%183.95M
-33.52%220.57M
-30.56%255.49M
-18.10%331.8M
-11.54%367.93M
-12.71%405.14M
Non-current assets
Property, plant and equipment
-28.62%656K
-0.26%776K
-0.43%919K
-30.29%778K
-31.32%923K
-29.46%1.12M
-25.50%1.34M
-20.42%1.58M
-16.64%1.8M
24.80%1.99M
Investment property
----
----
-9.96%2.04M
-11.31%2.21M
-56.70%2.27M
-61.77%2.49M
-23.21%5.24M
-4.77%6.52M
0.96%6.82M
-13.90%6.85M
Interests in Joint Venture
----
----
----
----
----
----
----
-7.83%5.53M
--5.7M
--6M
Other investments
----
----
----
----
----
----
----
----
----
--5.48M
Deferred tax assets
-98.30%453K
-55.60%11.68M
-4.49%26.66M
7.19%26.29M
1.23%27.91M
-15.89%24.53M
-3.72%27.57M
-10.61%29.16M
-17.74%28.64M
14.38%32.63M
Special items of non-current assets
----
76.69%1.62M
67.20%1.58M
-0.54%918K
--942K
--923K
----
----
----
----
Total non-current assets
-92.57%2.81M
-47.71%16.91M
7.33%37.89M
-3.12%32.35M
-10.34%35.3M
-31.73%33.39M
-18.94%39.37M
-17.98%48.9M
-11.43%48.57M
22.89%59.62M
Total assets
-14.55%132.99M
-14.81%150.42M
-29.01%155.65M
-30.47%176.58M
-25.64%219.25M
-33.29%253.96M
-29.21%294.86M
-18.09%380.7M
-11.52%416.5M
-9.34%464.76M
Liabilities
Current liabilities
Accounts payable
--8.43M
----
----
----
----
----
----
----
----
----
Notes payable
5.30%70.46M
1,153.85%65.69M
389.85%66.91M
--5.24M
--13.66M
----
----
----
----
----
Tax payable
----
-80.99%96K
-93.13%143K
-77.43%505K
51.97%2.08M
315.80%2.24M
-34.07%1.37M
-79.83%538K
89.95%2.08M
63.32%2.67M
Dividend payable
----
----
----
----
----
----
----
----
----
9.70%588K
Amounts payable to associated parties-current liabilities
----
-63.47%400K
7.57%995K
-49.31%1.1M
-57.18%925K
0.00%2.16M
--2.16M
--2.16M
----
----
Other payables and accrued expenses
12.71%6.83M
18.48%7.87M
-36.63%6.06M
-13.91%6.64M
-1.88%9.56M
-93.12%7.71M
0.06%9.75M
1,380.80%112.11M
5.28%9.74M
16.26%7.57M
Financial lease liabilities-current liabilities
40.65%782K
4.59%570K
-53.86%556K
-63.20%545K
-20.09%1.21M
-7.09%1.48M
-7.99%1.51M
-12.61%1.59M
16.41%1.64M
33.43%1.82M
Total current liabilities
15.85%86.5M
-23.27%74.62M
-41.47%74.67M
121.91%97.25M
95.15%127.57M
-85.35%43.82M
-42.25%65.37M
54.43%299.11M
540.67%113.19M
973.54%193.69M
Net current assets
1.38%43.68M
25.34%58.89M
-23.58%43.09M
-73.42%46.98M
-70.34%56.38M
440.81%176.75M
-25.37%190.12M
-84.54%32.68M
-36.03%254.74M
-52.60%211.45M
Total assets less current liabilities
-42.58%46.5M
-4.45%75.8M
-11.68%80.98M
-62.25%79.33M
-60.05%91.68M
157.57%210.13M
-24.34%229.49M
-69.90%81.58M
-33.06%303.32M
-45.19%271.07M
Non-current liabilities
Financial lease liabilities-non-current liabilities
-57.73%820K
-1.74%1.86M
-10.64%1.94M
-37.83%1.9M
-42.49%2.17M
-34.55%3.05M
-5.27%3.78M
-2.82%4.66M
-3.81%3.99M
30.57%4.79M
Convertible notes and bonds
-70.25%2.05M
--6.68M
--6.89M
----
----
--105.65M
-31.45%124.4M
----
-57.09%181.47M
-62.32%172.09M
Total non-current liabilities
-67.50%2.87M
350.66%8.54M
306.77%8.83M
-98.26%1.9M
-98.31%2.17M
2,234.01%108.7M
-30.89%128.17M
-97.37%4.66M
-56.58%185.45M
-61.58%176.89M
Total liabilities
7.03%89.37M
-16.12%83.16M
-35.64%83.5M
-35.00%99.14M
-32.97%129.74M
-49.79%152.52M
-35.19%193.55M
-18.03%303.77M
-32.85%298.64M
-22.55%370.57M
Total assets less total liabilities
-39.53%43.63M
-13.14%67.26M
-19.40%72.15M
-23.66%77.43M
-11.65%89.51M
31.86%101.44M
-14.04%101.32M
-18.33%76.93M
352.99%117.86M
175.64%94.19M
Total equity and non-current liabilities
-42.58%46.5M
-4.45%75.8M
-11.68%80.98M
-62.25%79.33M
-60.05%91.68M
157.57%210.13M
-24.34%229.49M
-69.90%81.58M
-33.06%303.32M
-45.19%271.07M
Equity
Share capital
0.00%938K
0.00%938K
19.95%938K
19.95%938K
-98.65%782K
-98.45%782K
14.82%58.09M
19.91%50.59M
259.72%50.59M
199.99%42.19M
Reserve
-74.28%9.92M
-20.58%31.96M
-23.38%38.58M
-34.99%40.24M
2,232.28%50.35M
460.13%61.9M
-91.12%2.16M
-558.81%-17.19M
169.34%24.31M
114.09%3.75M
Special items of shareholders' rights and interests
----
----
----
----
----
----
----
----
--106K
----
Shareholders' Equity
-72.52%10.86M
-20.11%32.89M
-22.72%39.52M
-34.31%41.17M
-15.13%51.14M
87.63%62.68M
-19.67%60.25M
-27.28%33.4M
457.36%75M
466.62%45.94M
Non-controlling interest
0.41%32.77M
-5.22%34.37M
-14.97%32.63M
-6.45%36.26M
-6.55%38.38M
-10.94%38.76M
-4.19%41.07M
-9.80%43.52M
-8.82%42.86M
3.32%48.25M
Total equity
-39.53%43.63M
-13.14%67.26M
-19.40%72.15M
-23.66%77.43M
-11.65%89.51M
31.86%101.44M
-14.04%101.32M
-18.33%76.93M
352.99%117.86M
175.64%94.19M
Total equity and total liabilities
-14.55%132.99M
-14.81%150.42M
-29.01%155.65M
-30.47%176.58M
-25.64%219.25M
-33.29%253.96M
-29.21%294.86M
-18.09%380.7M
-11.52%416.5M
-9.34%464.76M
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Auditor
Furui Mazze Certified Public Accountants Co., Ltd.
--
Furui Mazze Certified Public Accountants Co., Ltd.
--
Furui Mazze Certified Public Accountants Co., Ltd.
--
Furui Mazze Certified Public Accountants Co., Ltd.
--
Furui Mazze Certified Public Accountants Co., Ltd.
--
(FY)Dec 31, 2025(Q6)Jun 30, 2025(FY)Dec 31, 2024(Q6)Jun 30, 2024(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Jun 30, 2022(FY)Dec 31, 2021(Q6)Jun 30, 2021
Assets
Current assets
Accounts receivable --4.84M------------------------------------
Advance deposits and other receivables -27.85%829K-46.67%665K23.02%1.15M0.65%1.25M-15.01%934K-21.93%1.24M-89.60%1.1M-2.28%1.59M199.07%10.57M20.74%1.62M
Withholding and tax receivable --751K------------------------------------
Cash and equivalents 34.63%97.26M-4.25%84.5M-22.47%72.24M12.42%88.25M-11.39%93.18M-31.58%78.5M9.65%105.16M7.93%114.74M-31.10%95.91M-51.68%106.31M
Financial assets at fair value-current assets ---------------------41.46%408K-89.78%575K-95.74%697K-66.64%5.63M--16.37M
Special items of current assets -40.27%26.5M-11.68%48.34M-50.62%44.36M-61.02%54.74M-39.57%89.83M-34.62%140.42M-39.88%148.66M-23.52%214.78M-3.54%247.25M15.69%280.83M
Total current assets 10.55%130.18M-7.43%133.51M-35.99%117.75M-34.61%144.23M-28.00%183.95M-33.52%220.57M-30.56%255.49M-18.10%331.8M-11.54%367.93M-12.71%405.14M
Non-current assets
Property, plant and equipment -28.62%656K-0.26%776K-0.43%919K-30.29%778K-31.32%923K-29.46%1.12M-25.50%1.34M-20.42%1.58M-16.64%1.8M24.80%1.99M
Investment property ---------9.96%2.04M-11.31%2.21M-56.70%2.27M-61.77%2.49M-23.21%5.24M-4.77%6.52M0.96%6.82M-13.90%6.85M
Interests in Joint Venture -----------------------------7.83%5.53M--5.7M--6M
Other investments --------------------------------------5.48M
Deferred tax assets -98.30%453K-55.60%11.68M-4.49%26.66M7.19%26.29M1.23%27.91M-15.89%24.53M-3.72%27.57M-10.61%29.16M-17.74%28.64M14.38%32.63M
Special items of non-current assets ----76.69%1.62M67.20%1.58M-0.54%918K--942K--923K----------------
Total non-current assets -92.57%2.81M-47.71%16.91M7.33%37.89M-3.12%32.35M-10.34%35.3M-31.73%33.39M-18.94%39.37M-17.98%48.9M-11.43%48.57M22.89%59.62M
Total assets -14.55%132.99M-14.81%150.42M-29.01%155.65M-30.47%176.58M-25.64%219.25M-33.29%253.96M-29.21%294.86M-18.09%380.7M-11.52%416.5M-9.34%464.76M
Liabilities
Current liabilities
Accounts payable --8.43M------------------------------------
Notes payable 5.30%70.46M1,153.85%65.69M389.85%66.91M--5.24M--13.66M--------------------
Tax payable -----80.99%96K-93.13%143K-77.43%505K51.97%2.08M315.80%2.24M-34.07%1.37M-79.83%538K89.95%2.08M63.32%2.67M
Dividend payable ------------------------------------9.70%588K
Amounts payable to associated parties-current liabilities -----63.47%400K7.57%995K-49.31%1.1M-57.18%925K0.00%2.16M--2.16M--2.16M--------
Other payables and accrued expenses 12.71%6.83M18.48%7.87M-36.63%6.06M-13.91%6.64M-1.88%9.56M-93.12%7.71M0.06%9.75M1,380.80%112.11M5.28%9.74M16.26%7.57M
Financial lease liabilities-current liabilities 40.65%782K4.59%570K-53.86%556K-63.20%545K-20.09%1.21M-7.09%1.48M-7.99%1.51M-12.61%1.59M16.41%1.64M33.43%1.82M
Total current liabilities 15.85%86.5M-23.27%74.62M-41.47%74.67M121.91%97.25M95.15%127.57M-85.35%43.82M-42.25%65.37M54.43%299.11M540.67%113.19M973.54%193.69M
Net current assets 1.38%43.68M25.34%58.89M-23.58%43.09M-73.42%46.98M-70.34%56.38M440.81%176.75M-25.37%190.12M-84.54%32.68M-36.03%254.74M-52.60%211.45M
Total assets less current liabilities -42.58%46.5M-4.45%75.8M-11.68%80.98M-62.25%79.33M-60.05%91.68M157.57%210.13M-24.34%229.49M-69.90%81.58M-33.06%303.32M-45.19%271.07M
Non-current liabilities
Financial lease liabilities-non-current liabilities -57.73%820K-1.74%1.86M-10.64%1.94M-37.83%1.9M-42.49%2.17M-34.55%3.05M-5.27%3.78M-2.82%4.66M-3.81%3.99M30.57%4.79M
Convertible notes and bonds -70.25%2.05M--6.68M--6.89M----------105.65M-31.45%124.4M-----57.09%181.47M-62.32%172.09M
Total non-current liabilities -67.50%2.87M350.66%8.54M306.77%8.83M-98.26%1.9M-98.31%2.17M2,234.01%108.7M-30.89%128.17M-97.37%4.66M-56.58%185.45M-61.58%176.89M
Total liabilities 7.03%89.37M-16.12%83.16M-35.64%83.5M-35.00%99.14M-32.97%129.74M-49.79%152.52M-35.19%193.55M-18.03%303.77M-32.85%298.64M-22.55%370.57M
Total assets less total liabilities -39.53%43.63M-13.14%67.26M-19.40%72.15M-23.66%77.43M-11.65%89.51M31.86%101.44M-14.04%101.32M-18.33%76.93M352.99%117.86M175.64%94.19M
Total equity and non-current liabilities -42.58%46.5M-4.45%75.8M-11.68%80.98M-62.25%79.33M-60.05%91.68M157.57%210.13M-24.34%229.49M-69.90%81.58M-33.06%303.32M-45.19%271.07M
Equity
Share capital 0.00%938K0.00%938K19.95%938K19.95%938K-98.65%782K-98.45%782K14.82%58.09M19.91%50.59M259.72%50.59M199.99%42.19M
Reserve -74.28%9.92M-20.58%31.96M-23.38%38.58M-34.99%40.24M2,232.28%50.35M460.13%61.9M-91.12%2.16M-558.81%-17.19M169.34%24.31M114.09%3.75M
Special items of shareholders' rights and interests ----------------------------------106K----
Shareholders' Equity -72.52%10.86M-20.11%32.89M-22.72%39.52M-34.31%41.17M-15.13%51.14M87.63%62.68M-19.67%60.25M-27.28%33.4M457.36%75M466.62%45.94M
Non-controlling interest 0.41%32.77M-5.22%34.37M-14.97%32.63M-6.45%36.26M-6.55%38.38M-10.94%38.76M-4.19%41.07M-9.80%43.52M-8.82%42.86M3.32%48.25M
Total equity -39.53%43.63M-13.14%67.26M-19.40%72.15M-23.66%77.43M-11.65%89.51M31.86%101.44M-14.04%101.32M-18.33%76.93M352.99%117.86M175.64%94.19M
Total equity and total liabilities -14.55%132.99M-14.81%150.42M-29.01%155.65M-30.47%176.58M-25.64%219.25M-33.29%253.96M-29.21%294.86M-18.09%380.7M-11.52%416.5M-9.34%464.76M
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor Furui Mazze Certified Public Accountants Co., Ltd.--Furui Mazze Certified Public Accountants Co., Ltd.--Furui Mazze Certified Public Accountants Co., Ltd.--Furui Mazze Certified Public Accountants Co., Ltd.--Furui Mazze Certified Public Accountants Co., Ltd.--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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